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Profile We are inviting applications for the Chief Financial Officer position for an international bank based in London. Please note this is a SMF control function position reporting to the CEO and Board Members. Responsibilities
Accounts
Responsible for generating authentic financial data of the bank. Ensure that the Bank's accounts are maintained and reported in accordance with the accounting and reporting guidelines under IFRS–9. Manage financial controls and accounting procedures with suitable transfer pricing for segment reporting. Ensure full transparency over the financial performance of the company. Prepare guidance notes periodically on how to increase revenue and reduce costs by understanding market trends and competitor analysis. Effectively and clearly communicate potential financial risks in a timely manner. Present annual financial budgeting to ensure that annual financial objectives are clearly outlined and reviewed periodically. Oversight of the preparation and presentation of monthly and annual financial performance vs budget.
Audit & Annual Accounts
Proactive engagement with external and internal auditors and updating them on important matters as required. Work with Statutory Audit partner to ensure that the external audit and annual accounts sign–off is completed on time and to a high standard. Interact with parent bank as required for providing audited data for group consolidation in time.
Vendor & Bill Payment
Maintain all financial and commercial contracts for services rendered to the Bank by various vendors, ensure speed and accuracy in vendor payments, and ensure expenses are accounted for as per policy and monitored against budget allocation business-wise.
Tax Matters
Coordinate, produce, and file all tax documentation (Corporation Tax, VAT, etc.) as required and ensure tax compliance. Provide guidance to business and operations groups regarding TDS, WHT, and DTAA matters.
Policies
Ensure accounting policy is periodically updated as per accounting standards and provide guidance to business groups to understand its implications and ensure compliance. Coordinate preparation of ILAA and ICAAP documents of the Bank.
Liquidity/Funding/Capital
Oversight of the treasury functions with regard to liquidity management. Interact with external counterparties including rating agencies, providers of debt capital market funding including capital instruments; sell down/securitisation of loan book and Due Diligence work for the above. Monitor the capital position of the Bank.
Regulatory Reporting
Ensure all regulatory returns are submitted in time.
Committee
Participate and contribute in the executive committees of the Bank for delivery of Bank's business objectives.
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